Treasury Analyst
- תל אביב
- הכשרה
- משרה מלאה
- Manage global cash, liquidity, and 100+ bank accounts
- Create cash flow forecasts and execute investments
- Conduct FX trading, manage hedging, and analyze share repurchase programs
- Oversee global insurance programs and implement treasury systems
- Support intercompany transactions, reporting, and SOX compliance
- BA in Economics/Finance/Business (MBA advantage)
- 1-2 years' experience in Treasury or financial analysis (preferably in a multinational)
- Native English, strong Excel & PowerPoint skills
- Attention to detail, high integrity, and proactive mindset
- ניתוחים עסקיים בכל הממדים: מכירות, נתחי שוק, אפקטיביות מבצעים, השקו...
- למשרה מלאה
- בני ברק (קו רכבת)
Mploy